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基金费率

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基金概况

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光大保德信增利收益债券C(360009)

2024-11-20     1.31000.5372%
资产配置
单位:万元
报告期 基金净值 股票 国债及现金 可转债 企业债 金融债 其他债券 其他投资 贷方余额
2024-09-30281,533.850.0029,857.20121,634.81331,659.0846,849.830.002,328.760.00
2024-06-30405,398.480.0049,462.48160,181.89624,175.1950,015.290.002,586.350.00
2024-03-31472,178.460.0034,901.42199,363.99800,527.8846,834.350.004,848.550.00
2023-12-31624,942.560.007,686.36208,403.94983,610.14107,424.610.004,465.800.00
2023-09-30831,663.160.0020,136.52251,286.561,753,407.48151,584.210.007,415.430.00
2023-06-301,006,337.510.0026,521.90296,356.952,556,421.17204,408.660.004,208.490.00
2023-03-31941,664.020.0034,333.19260,914.071,061,180.41166,256.130.0019,485.840.00
2022-12-31679,191.190.0018,404.74205,078.631,029,030.97159,885.310.00191.740.00
2022-09-30652,884.300.0045,083.42192,783.76887,634.33102,003.340.002,005.620.00
2022-06-30543,064.640.0047,065.00152,926.701,071,979.04111,113.350.008,377.710.00
2022-03-31520,111.090.0040,527.38171,032.09890,328.95118,613.610.001,893.500.00
2021-12-31245,342.750.0045,830.5154,072.68374,837.6084,848.522,038.006,750.970.00
2021-09-3064,337.070.008,321.2818,730.4072,310.097,113.701,009.90704.030.00
2021-06-3034,879.270.003,952.819,208.9038,420.370.001,007.20892.130.00
2021-03-3126,726.480.003,054.9312,007.3656,183.560.000.00415.660.00
2020-12-3145,527.290.003,080.329,847.4380,417.65999.600.00789.710.00
2020-09-3027,499.410.001,982.747,654.6770,533.26997.650.00505.360.00
2020-06-3011,138.710.001,474.583,131.9633,029.602,028.700.00329.390.00
2020-03-3113,590.6440.471,409.004,666.0726,137.801,925.340.00604.430.00
2019-12-316,599.930.00164.981,803.852,499.901,753.360.00132.610.00
2019-09-306,015.200.00507.961,761.904,089.801,747.880.0085.370.00
2019-06-306,773.220.00146.63824.697,601.501,992.550.00182.200.00
2019-03-3111,999.780.0059.021,443.283,339.912,975.060.00288.250.00
2018-12-3110,697.390.0076.020.0010,102.994,362.680.00222.820.00
2018-09-3012,936.650.005,263.940.0010,203.985,419.000.00260.300.00